Book review: “Behavioral finance and wealth management: Market anomalies, investors’ behavior and the role of financial advisors”

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Enrico Maria Cervellati ORCID logo

https://doi.org/10.22495/bprv1i2p4

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The book “Behavioral Finance and Wealth Management: Market Anomalies, Investors’ Behavior and the Role of Financial Advisors” presents an examination of the intricate relationship between human behavior and financial decision-making, with particular regard to wealth management. By dissecting biases, market anomalies, and investors’ behaviors, the book provides valuable insights for investors, financial advisors, and anyone interested in the intersection of behavioral finance and wealth management. The book is an open-eye opportunity for many financial advisors and, more in general, professionals in the wealth management sector.

JEL Classification: G40, G41

Received: 08.02.2024
Accepted: 08.02.2024
Published online: 09.02.2024

How to cite this paper: Cervellati, E. M. (2023). [Review of the book Behavioral finance and wealth management: Market anomalies, investors’ behavior and the role of financial advisors by E. M. Cervellati, N. Angelini, & G. P. Stella]. Business Performance Review, 1(2), 48–49. https://doi.org/10.22495/bprv1i2p4